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The Euro and the Crisis : Perspectives for the Eurozone as a Monetary and Budgetary Union / / edited by Nazaré da Costa Cabral, José Renato Gonçalves, Nuno Cunha Rodrigues
The Euro and the Crisis : Perspectives for the Eurozone as a Monetary and Budgetary Union / / edited by Nazaré da Costa Cabral, José Renato Gonçalves, Nuno Cunha Rodrigues
Edizione [1st ed. 2017.]
Pubbl/distr/stampa Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017
Descrizione fisica 1 online resource (XXVIII, 366 p. 45 illus., 31 illus. in color.)
Disciplina 332.042094
Collana Financial and Monetary Policy Studies
Soggetto topico Macroeconomics
Europe - Economic integration
Capital market
Law - Europe
Finance, Public
Financial services industry
Macroeconomics and Monetary Economics
European Economic Integration
Capital Markets
European Law
Public Finance
Financial Services
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Part 1 – The Eurozone as a (non) Optimum Currency Area -- STIGLITZ, Joseph. The fundamental flaws in the Euro Zone framework -- BONGARDT, Annette and TORRES, Francisco. EMU as a Sustainable Currency Area -- ROSSI, Sergio, A structural-reform proposal for a two-speed European monetary union -- MONGELLI, Francesco Paolo, PAPADOPOULOS, Georgios, and REINHOLD, Elisa. Are Euro Area economic structures changing? -- ANDRADE, João A. S., DUARTE, Adelaide P. S. and SIMÕES, Marta C. N., Differences in human capital and openness to trade as barriers to growth and convergence in the EU -- LOUÇÃ, Francisco. Has the euro any future as part of secular stagnation? -- Part 2 – A monetary union relying on fiscal policy coordination: achievements, shortcomings and future perspectives -- SANTOS, Luís Máximo dos. The European Monetary Union: political motivation -- MUET, Pierre-Alain. The great recession of 2012-2014: the monetary union challenged by national egoisms -- BELKE, Ansgar. The Fiscal Compact and the Excessive Deficit Procedure - Relics of bygone times? -- IOANNIDES, Yannis M.. A Conceptual Framework for Reforms versus Debt in the Context of a Fiscal Union within the European Monetary Union -- CABO, Sérgio Gonçalves do. Public debt restructuring in a monetary union: the case of the euro area member states -- Part 3 – New perspectives for macroeconomic stabilizers in the European Union -- BREUSS, Fritz. The crisis management of the ECB -- MENDONÇA, António. Unconventional monetary policy of the ECB and the international economic and financial crisis: efficiency versus exhaustion -- CABRAL, Nazaré da Costa. The Eurozone’s Private and Governmental Shock Absorbers: Current Setup and Future Prospects -- RODRIGUES, Nuno Cunha and GONÇALVES, José Renato. The European banking union and the Economic and Monetary Union: the puzzle is yet to be completed -- BEBLAVY, Miroslav, LENAERTS, Karolien, and MASELLI, Ilaria, The (future) European unemployment insurance and its role as an automatic stabiliser -- Part 4 – A Budgetary Union as a way-out of the EMU crisis: is it possible? -- AHMAD, Ehtisham and BROSIO, Giorgio. Achieving accountable governance and structural reforms in Europe -- MATTHIJS, Herman, The financing of the European Union Budget -- KOPITS, George. Toward a Closer Union: Elusive Mirage or Reality within Grasp? -- DÍAZ-ROLDAN, Carmen and BAJO-RUBIO, Oscar. The scope for a budgetary union in the European monetary union.
Record Nr. UNINA-9910155326203321
Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017
Materiale a stampa
Lo trovi qui: Univ. Federico II
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Financial integration in the European Union / / edited by Roman Matousek and Daniel Stavarek
Financial integration in the European Union / / edited by Roman Matousek and Daniel Stavarek
Pubbl/distr/stampa London : , : Routledge, , 2012
Descrizione fisica 1 online resource (281 p.)
Disciplina 332.042094
332/.042094
Altri autori (Persone) MatousekRoman
StavarekDaniel
Collana Routledge studies in the European economy
Soggetto topico Finance - European Union countries
International finance - European Union countries
Financial institutions - European Union countries
Financial crises - European Union countries
Soggetto genere / forma Electronic books.
ISBN 1-136-33970-1
0-203-12351-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Financial Integration in the European Union; Copyright; Contents; Contributors; Preface; Acknowledgements; 1. Theory of financial integration and achievements in the European Union; 2. Financial integration at times of financial instability; 3. Integration of financial markets in the European Union: Regulation and supervision framework; 4. National and sectoral integration of Chinese and Russian stock markets with world markets; 5. Integration of credit markets in the Visegrad countries with the euro area
Record Nr. UNINA-9910452193003321
London : , : Routledge, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial integration in the European Union / / edited by Roman Matousek and Daniel Stavarek
Financial integration in the European Union / / edited by Roman Matousek and Daniel Stavarek
Pubbl/distr/stampa London : , : Routledge, , 2012
Descrizione fisica 1 online resource (281 p.)
Disciplina 332.042094
332/.042094
Altri autori (Persone) MatousekRoman
StavarekDaniel
Collana Routledge studies in the European economy
Soggetto topico Finance - European Union countries
International finance - European Union countries
Financial institutions - European Union countries
Financial crises - European Union countries
ISBN 1-136-33970-1
0-203-12351-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Financial Integration in the European Union; Copyright; Contents; Contributors; Preface; Acknowledgements; 1. Theory of financial integration and achievements in the European Union; 2. Financial integration at times of financial instability; 3. Integration of financial markets in the European Union: Regulation and supervision framework; 4. National and sectoral integration of Chinese and Russian stock markets with world markets; 5. Integration of credit markets in the Visegrad countries with the euro area
Record Nr. UNINA-9910779032903321
London : , : Routledge, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Financial integration in the European Union / / edited by Roman Matousek and Daniel Stavarek
Financial integration in the European Union / / edited by Roman Matousek and Daniel Stavarek
Edizione [1st ed.]
Pubbl/distr/stampa London ; ; New York, : Routledge, 2012
Descrizione fisica 1 online resource (281 p.)
Disciplina 332.042094
332/.042094
Altri autori (Persone) MatousekRoman
StavarekDaniel
Collana Routledge studies in the European economy
Soggetto topico Finance - European Union countries
International finance - European Union countries
Financial institutions - European Union countries
Financial crises - European Union countries
ISBN 1-136-33970-1
0-203-12351-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Financial Integration in the European Union; Copyright; Contents; Contributors; Preface; Acknowledgements; 1. Theory of financial integration and achievements in the European Union; 2. Financial integration at times of financial instability; 3. Integration of financial markets in the European Union: Regulation and supervision framework; 4. National and sectoral integration of Chinese and Russian stock markets with world markets; 5. Integration of credit markets in the Visegrad countries with the euro area
Record Nr. UNINA-9910808276103321
London ; ; New York, : Routledge, 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Finanzmärkte im spannungsfeld von globalisierung, regulierung und geldpolitik / / herausgegeben von Dieter Duwendag und Johann-Heinrich-von-Thünen-Vorlesung, Werner Hildenbrand
Finanzmärkte im spannungsfeld von globalisierung, regulierung und geldpolitik / / herausgegeben von Dieter Duwendag und Johann-Heinrich-von-Thünen-Vorlesung, Werner Hildenbrand
Pubbl/distr/stampa Berlin, Germany : , : Duncker & Humblot, , 1998
Descrizione fisica 1 online resource (247 p.)
Disciplina 332.042094
Collana Schriften des Vereins für Socialpolitik
Soggetto topico International finance
ISBN 3-428-49632-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione ger
Nota di contenuto Vorwort; Inhaltsverzeichnis; I. Referate zum Tagungsthema; Frederic S. Mishkin: International Capital Movements, Financial Volatility and Financial Instability; Abstract; I. Introduction; II. Asymmetric Information in the Financial System; III. A Theory of Financial Instability; 1. Factors Causing Financial Instability; 2. Propagation of Financial Instability; IV. The Role of International Capital Movements and Financial Volatility; V. Concluding Remarks; References; Horst Siebert: Disziplinierung der nationalen Wirtschaftspolitik durch die internationale Kapitalmobilität
I. Zum Ausmaß der internationalen KapitalmobilitätII. Schärfere Zwänge für die Stabilitätspolitik; III. Die nationale Allokations-, Lohn- und Sozialpolitik im Standortwettbewerb; Besteuerung und öffentliche Güter; Umweltqualität und andere öffentliche Güter; Arbeitseinkommen und Beschäftigung; Institutionelle Regelungen; Umverteilung und soziale Sicherungssysteme; IV. Schlußbemerkungen; Anhang; Literatur; Wolfgang Bühler / Andreas Schmidt: Bank-Risikomanagement mit internen Modellen; I. Einführung; II. Risikoarten, Risikocontrolling und Risikomanagement; 1. Risikoarten
a) Cash-Flow- versus Wertrisikenb) Preisrisiken; c) Adressenausfallrisiko; d) Liquiditätsrisiken; e) Operative Risiken; f) Juristische Risiken; 2. Risikocontrolling und Risikomanagement; III. Standardverfahren zur Erfassung von kurzfristigen Marktrisiken; 1. Historischer Rückblick und Abgrenzungsfragen; 2. Prinzip der Standardverfahren; VI. Interne Modelle; 1. Überblick über interne Modelle; 2. Value-at-Risk-Modelle; a) Korrelationsansatz; b) Monte-Carlo-Simulation; c) Historische Simulation; 3. Aufsichtsrechtlicher Rahmen für VaR-Modelle und die Eigenmittelunterlegung
4. Beurteilung des aufsichtsrechtlichen RahmensV. Eigenmittelunterlegung für wohldiversifizierte Portefeuilles; 1. Untersuchungsaufbau; 2. Prognosegüte und maximale Verluste; VI. Eigenmittelunterlegung für ein schlecht diversifiziertes Portefeuille; 1. Untersuchungsaufbau; a) Bestandteile des Handelsbuches; b) Untersuchungszeitraum und Analyseschritte; c) Risikofaktoren; 2. Theoretische Grundlage des VaR-Modells; 3. Prognosegüte und Eigenmittelunterlegung; VII. Offene Probleme und Ausblick; 1. Myopischer Charakter der VaR-Modelle; 2. Verlustlimite; 3. Daten- und Modellmanagement
1. Wandel der Rahmenbedingungen
Record Nr. UNINA-9910624366203321
Berlin, Germany : , : Duncker & Humblot, , 1998
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui